Standard Motor Products logo
Standard Motor Products SMP
$ 32.19 1.96%

Quarterly report 2024-Q3
added 10-30-2024

report update icon

Standard Motor Products Balance Sheet 2011-2024 | SMP

Annual Balance Sheet Standard Motor Products

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011

Net Debt

124 M 218 M 107 M -9.26 M 46.7 M 38.1 M 44.5 M 35.2 M 28.7 M 43.1 M 15.9 M 27.6 M 62.4 M

Long Term Debt

151 M 185 M 21 K 97 K 129 K 153 K 79 K 120 K 62 K 83 K 16 K 75 K 190 K

Long Term Debt Current

5.03 M 55 M 128 M 10.1 M - - - 43 K 16 K 175 K 59 K 120 K 109 K

Total Non Current Liabilities

- - - - 99 M 63.3 M 48 M 43.8 M 45.2 M 48.6 M 45.8 M 46.8 M 49.9 M

Total Current Liabilities

304 M 323 M 476 M 303 M 309 M 313 M 286 M 284 M 244 M 251 M 220 M 222 M 229 M

Total Liabilities

642 M 634 M 585 M 406 M 409 M 376 M 334 M 328 M 289 M 299 M 266 M 269 M 279 M

Deferred Revenue

- - - - - - - - - - - - -

Retained Earnings

573 M 564 M 532 M 464 M 417 M 380 M 357 M 336 M 291 M 259 M 228 M 187 M 154 M

Total Assets

1.29 B 1.25 B 1.2 B 957 M 913 M 843 M 788 M 769 M 681 M 674 M 616 M 577 M 551 M

Cash and Cash Equivalents

32.5 M 21.2 M 21.8 M 19.5 M 10.4 M 11.1 M 17.3 M 19.8 M 18.8 M 13.7 M 5.56 M 13.1 M 10.9 M

Book Value

651 M 621 M 613 M 550 M 504 M 467 M 454 M 441 M 392 M 374 M 349 M 308 M 272 M

Total Shareholders Equity

635 M 610 M 613 M 550 M 504 M 467 M 454 M 441 M 392 M 374 M 349 M 308 M 272 M

All numbers in USD currency

Quarterly Balance Sheet Standard Motor Products

2024-Q3 2024-Q2 2024-Q1 2023-Q3 2023-Q2 2023-Q1 2022-Q4 2022-Q3 2022-Q2 2022-Q1 2021-Q4 2021-Q3 2021-Q2 2021-Q1 2020-Q4 2020-Q3 2020-Q2 2020-Q1 2019-Q4 2019-Q3 2019-Q2 2019-Q1 2018-Q4 2018-Q3 2018-Q2 2018-Q1 2017-Q4 2017-Q3 2017-Q2 2017-Q1 2016-Q4 2016-Q3 2016-Q2 2016-Q1 2015-Q4 2015-Q3 2015-Q2 2015-Q1 2014-Q4 2014-Q3 2014-Q2 2014-Q1 2013-Q4 2013-Q3 2013-Q2 2013-Q1 2012-Q4 2012-Q3 2012-Q2 2012-Q1 2011-Q4 2011-Q3 2011-Q2 2011-Q1

Long Term Debt

140 M 203 M 210 M 95.2 M 164 M 215 M 185 M 211 M - - 21 K 68 K 80 K 84 K 97 K 97 K 97 K 97 K 129 K 129 K 129 K 129 K 153 K 153 K 153 K 153 K 79 K 79 K 79 K 79 K 120 K 120 K 120 K 120 K 62 K 62 K 62 K 62 K 83 K 83 K 83 K 83 K 16 K 16 K 16 K 16 K 75 K 75 K 75 K 75 K 190 K 190 K 190 K 190 K

Total Non Current Liabilities

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Total Liabilities

697 M 720 M 696 M 654 M 662 M 687 M 634 M 708 M - 687 M 585 M 597 M 560 M 420 M 406 M 406 M 406 M 406 M 400 M 409 M 409 M 409 M 376 M 376 M 376 M 376 M 334 M 334 M 334 M 334 M 328 M 328 M 328 M 328 M 289 M 289 M 289 M 289 M 299 M 299 M 299 M 299 M 266 M 266 M 266 M 266 M 269 M 269 M 269 M 269 M 279 M 279 M 279 M 279 M

Deferred Revenue

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Retained Earnings

584 M 586 M 576 M 573 M 573 M 570 M 564 M 562 M - 546 M 532 M 519 M 501 M 479 M 464 M 464 M 464 M 464 M 417 M 417 M 417 M 417 M 380 M 380 M 380 M 380 M 357 M 357 M 357 M 357 M 336 M 336 M 336 M 336 M 291 M 291 M 291 M 291 M 259 M 259 M 259 M 259 M 228 M 228 M 228 M 228 M 187 M 187 M 187 M 187 M 154 M 154 M 154 M 154 M

Total Assets

1.35 B 1.37 B 1.35 B 1.3 B 1.3 B 1.32 B 1.25 B 1.32 B - 1.31 B 1.2 B 1.2 B 1.16 B 976 M 957 M 957 M 957 M 957 M 904 M 913 M 913 M 913 M 819 M 843 M 843 M 843 M 788 M 788 M 788 M 788 M 769 M 769 M 769 M 769 M 681 M 681 M 681 M 681 M 674 M 674 M 674 M 674 M 616 M 616 M 616 M 616 M 577 M 577 M 577 M 577 M 551 M 551 M 551 M 551 M

Cash and Cash Equivalents

26.3 M 26.2 M 27.1 M 28.5 M 23 M 24.2 M 21.2 M 17.5 M 14.2 M 20 M 21.8 M 33.1 M 27.5 M 17.1 M 19.5 M 19.5 M 19.5 M 19.5 M 10.4 M 10.4 M 10.4 M 10.4 M 11.1 M 11.1 M 11.1 M 11.1 M 17.3 M 17.3 M 17.3 M 17.3 M 19.8 M 19.8 M 19.8 M 19.8 M 18.8 M 18.8 M 18.8 M 18.8 M 13.7 M 13.7 M 13.7 M 13.7 M 5.56 M 5.56 M 5.56 M 5.56 M 13.1 M 13.1 M 13.1 M 13.1 M 10.9 M 10.9 M 10.9 M 10.9 M

Book Value

653 M 654 M 655 M 645 M 640 M 633 M 621 M 610 M - 623 M 613 M 599 M 595 M 557 M 550 M 550 M 550 M 550 M 504 M 504 M 504 M 504 M 443 M 467 M 467 M 467 M 454 M 454 M 454 M 454 M 441 M 441 M 441 M 441 M 392 M 392 M 392 M 392 M 374 M 374 M 374 M 374 M 349 M 349 M 349 M 349 M 308 M 308 M 308 M 308 M 272 M 272 M 272 M 272 M

Total Shareholders Equity

639 M 640 M 639 M 645 M 640 M 633 M 610 M 610 M 613 M 623 M 602 M 599 M 584 M 557 M 550 M 550 M 550 M 550 M 504 M 504 M 504 M 504 M 467 M 467 M 467 M 467 M 454 M 454 M 454 M 454 M 441 M 441 M 441 M 441 M 392 M 392 M 392 M 392 M 374 M 374 M 374 M 374 M 349 M 349 M 349 M 349 M 308 M 308 M 308 M 308 M 272 M 272 M 272 M 272 M

All numbers in USD currency